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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Jun. 29, 2024
Jul. 01, 2023
Jul. 02, 2022
Cash flows from operating activities:      
Net income $ 498,699 $ 770,828 $ 692,379
Non-cash and other reconciling items:      
Depreciation and amortization 86,708 88,613 102,326
Amortization of Operating Lease Assets 53,796 54,392 52,881
Deferred income taxes (9,749) (37,060) (52,513)
Stock-based compensation 33,496 38,781 36,738
Other, net 15,800 52,142 34,116
Changes in (net of effects from businesses acquired and divested):      
Receivables 316,218 (461,117) (1,132,039)
Inventories (51,203) (1,173,124) (1,218,871)
Accounts payable 4,496 (75,943) 1,131,225
Accrued expenses and other, net (258,277) 28,785 134,448
Net cash flows provided by (used for) operating activities 689,984 (713,703) (219,310) CloseClose
Cash flows from financing activities:      
Issuance of notes, net of discounts   498,615 299,973
Repayment of public notes     (354,336)
Borrowings (repayments) under accounts receivable securitization, net (140,700) 258,000 274,900
Borrowings (repayments) under senior unsecured credit facility, net (43,277) 728,182  
Borrowings (repayments) under bank credit facilities and other debt, net 27,491 (96,209) 235,047
Repurchases of common stock (162,723) (221,730) (184,382)
Dividends paid on common stock (111,963) (106,325) (98,490)
Other, net (2,627) (5,777) (16,653)
Net cash flows (used for) provided by financing activities (433,799) 1,054,756 156,059
Cash flows from investing activities:      
Purchases of property, plant and equipment (226,478) (194,674) (48,900)
Proceeds from liquidation of Company Owned Life Insurance Policies     90,384
Other, net 994 (16,877) 9,815
Net cash flows (used for) provided by investing activities (225,484) (211,551) 51,299 CloseClose
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations (7,990) 5,035 (34,046) CloseClose
Cash and cash equivalents:      
increase (decrease) 22,711 134,537 (45,998)
Cash and cash equivalents at beginning of year 288,230 153,693 199,691
Cash and cash equivalents at end of year $ 310,941 $ 288,230 $ 153,693